Financial Year |
March 31 2023 |
Cash and Deposits In Other Banks |
-- |
Currency Capital |
188,256,777,725.00 |
Among:Customer Fund Deposits |
145,780,545,215.00 |
Deposit Payment In the Central Bank |
-- |
Salttlement Reserve |
19,814,489,928.00 |
Among: Customer Reserve |
13,295,084,918.00 |
Noble Metal |
-- |
Lending Funds |
-- |
Trading Financial Assets |
359,262,513,532.00 |
Derivative Financial Assets |
3,955,838,944.00 |
Redemptory Monetary Capital For Sale |
71,284,762,158.00 |
Interest Receivable |
-- |
Premiums Receivable |
-- |
Subrogation Receivables |
-- |
Reinsurance Accounts Receivable |
-- |
Receivable Deposit for Undue Duty of Reinsurance |
-- |
The Receivable Reserve for Outstanding Reinsurance Claims |
-- |
The Receivable Reserve for Reinsurance Life Insurance Liabilities |
-- |
The Receivable Reserve for The Reinsurance of Long-Term Health Insurance Liabilities |
-- |
Protecting A Pledge Loan |
-- |
Time Deposit |
-- |
Issue Loan and Advance |
-- |
Refundable Deposits |
60,217,207,554.00 |
Capital In Vicarious Business |
-- |
Accounts Receivable |
-- |
Prepayment |
-- |
Available-for-Sale Financial Assets |
-- |
The Held-to-maturity Investment |
-- |
Long Term Equity Investments |
11,522,806,440.00 |
Deposit For Capital Recognizance |
-- |
Investing Real Estate |
1,086,124,364.00 |
Inventories |
-- |
Fixed Assets |
2,841,489,691.00 |
Construction In Progress |
187,315,922.00 |
Intangible Assets |
1,466,373,722.00 |
Transaction Seat Fee |
-- |
Long Term Prepayments |
-- |
Disposal of Fixed Assets |
-- |
Independent Account Assets |
-- |
Deferred Income Tax Assets |
1,834,993,469.00 |
Other Assets |
2,546,716,327.00 |
Total Assets |
898,588,949,314.00 |
Borrowing from The Central Bank |
-- |
Deposits With Banks and Other Financial Institutions |
-- |
Short Term Borrowing |
11,132,776,691.00 |
Among: Pledge Loan |
-- |
Borrowing Funds |
11,514,071,506.00 |
Trading Financial Debt |
68,663,230,304.00 |
Derivative Financial Debt |
6,613,935,637.00 |
Financial Assets Sold for Repurchase |
186,753,963,246.00 |
Deposit Taking |
-- |
Acting Trading Securities |
96,971,759,733.00 |
Acting Underwriting Secur |
31,185,474.00 |
Account Payable |
-- |
Notes Payable |
-- |
Advance Receipts |
-- |
Premiums Received In Advance |
-- |
Fees and Commissions Payable |
-- |
Reinsurance Receivable Payable |
-- |
Employee Compensation Payable |
7,183,692,027.00 |
Taxes Payable |
2,269,489,353.00 |
Interest Payable |
-- |
Liabilities from Vicarious Business |
-- |
Estimatied Liabilities |
335,975,943.00 |
Payments Payable |
-- |
Bonus Payable |
-- |
Protecting Saving and Investment |
-- |
Unearned Premium Reserve |
-- |
Reserve for Outstanding Losses |
-- |
Reserves for Life Insurance Liabilities |
-- |
Reserves for Long Term Health Insurance Liabilities |
-- |
Long Term Borrowings |
559,555,203.00 |
Bonds Payable |
139,379,839,690.00 |
Independent Account Liabilities |
-- |
Deferred Income Tax Liabilities |
207,672,709.00 |
Other Liabilities |
1,130,708,981.00 |
Total Liabilities |
731,474,520,353.00 |
Paid-in Capital(Capital Stock) |
8,906,674,548.00 |
Capital Surplus |
46,106,211,945.00 |
LESS:Treasury Stock |
393,371,217.00 |
Surplus Reserves |
7,172,530,796.00 |
General Risk Preparation |
23,652,729,404.00 |
Undistributed Profits |
59,676,380,372.00 |
Minority Equity |
6,212,181,206.00 |
Currency Translation Differences |
-- |
Abnormal Management Project Income Adjusted |
92,129,062,442.00 |
Belong To The Parent Company Owner's Equity(Or Stockholder's Equity) |
160,902,247,755.00 |
Total Owner's Equity(Stockholder's Equity) |
167,114,428,961.00 |
Total Liabilities and Owner's Equity(Stockholder's Equity) |
898,588,949,314.00 |